My Tuatara Fund Dashboard
Your own position in the Tuatara Hedge Fund — position value, return since subscription, and the fund NAV series.
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My position
$0.00
Position value
The fund is in capital formation: subscribed capital is being gathered and strategy trading has not started, so there is no trading P&L yet and your return is 0.00% by definition — not a rounded estimate.
Redemption (14-day notice)
A redemption request is queued. Settles on (UTC)
Because fund positions are held for multiple days, redemptions take 14 days' notice and settle every two weeks. Your request settles on the next settlement date at that day's published fund value, paid to your EventTrader balance in USDC. You can cancel any time before settlement. Withdrawals from your balance then follow the normal withdrawal flow.
My applications
Fund NAV series
| Date | Fund NAV (USD) | Cumulative return |
|---|
The series begins at capital formation (2026-08-10) and accrues one point per day. Until strategy trading starts, NAV equals subscribed capital received by the fund and the return line is flat at 0.00%.
The series begins at capital formation — more points accrue daily from now on.